Banking and financial services represents a highly competitive and rapidly changing sector in every modern economy. Changes in customer requirements, technology, competitive conditions and regulation create the need for managers, traders and analysts to make rapid and often far reaching decisions about their short term operations and long term strategies. The MSc and MA in Banking and Finance degree courses at Bangor offer you a unique opportunity to study advanced theory and practice relating to financial services, and to develop an appreciation of the causes and significance of current developments in this vitally important and dynamic sector of the economy.
Facilities
Location
Start date
Bangor
(Gwynedd)
See map
LL57 2DG
Start date
SeptemberEnrolment now open
About this course
The course aims to enable understudies to: Demonstrate a good understanding of the pricing of the main financial assets traded in international financial markets.
Apply finance theory to portfolio selection and asset pricing.
Demonstrate an awareness of the implications of finance theory for best practice in investment strategy and portfolio management.
Demonstrate a good understanding of the derivative and foreign exchange markets, including the roles of hedging, speculation and arbitrage.
Critically evaluate empirical evidence concerning the operation of international financial markets.
IELTS: 6.0 (with no element below 5.5)
Pearson PTE: a score of 56 (with no element lower than 51)
Questions & Answers
Add your question
Our advisors and other users will be able to reply to you
We are verifying your question adjusts to our publishing rules. According to your answers, we noticed you might not be elegible to enroll into this course, possibly because of: qualification requirements, location or others. It is important you consult this with the Centre.
Thank you!
We are reviewing your question. We will publish it shortly.
Or do you prefer the center to contact you?
Reviews
Have you taken this course? Share your opinion
Subjects
Management
Risk
Financial Reporting
Financial Services
International Banking
Portfolio Management
Accounting
IT
International
Banking
Finance
Financial
IT risk
Banking and Finance
Banking Finance
Financial Training
IT Management
Financial Analysis
International financial management
Islamic finance
Financial Econometrics
Investment strategy
International Financial Markets
Islamic Accounting
Course programme
Research Methods: This module develops knowledge of intermediate and advanced research methods, and provides a basis in research methodology for those who may eventually wish to pursue research degrees.
Bank Financial Management: This module provides a grounding in the nature, strategic context and managerial functions of financial management in banks, and other financial services firms.
International Financial Markets: This module provides an overview of financial instruments in a multi currency world, taking account of insights from portfolio theory concerning the relationship between risk and return, the diversification of risk, and the pricing of assets.
Financial Modelling: This module develops a combined theoretical and practical approach to mathematical modelling for specialists in finance.
International Banking: This module examines the origins of international banking, the activities of international banks, the markets in which they participate, and the sources of risk.
Financial Econometrics: This module provides advanced coverage of econometric methods and practices that are used to model financial and business data.
Financial Crises and Bank Regulation: This module examines why banks and financial markets are inherently vulnerable to crises, and analyses the role of policy makers and institutions. The roles of monetary policy, bank supervision and regulation, corporate governance and ratings agencies in mitigating or exacerbating crises are considered.
Optional modules (choose 1):
Islamic Finance: This course provides an insight into topical issues relating to Islamic financial instruments and related risk management issues.
Financial Institutions Strategic Management: This module examines the main theoretical and practical issues concerning banking business. You will develop a critical awareness of the theory of the banking firm, the motives for international banking, and regulatory and structural issues impacting on bank behaviour.
Financial Analysis: This module analyses the techniques that are used to evaluate a company’s financial position and performance.
Financial Engineering: This module develops a combined theoretical and practical approach to derivatives pricing and financial engineering.
Investment Strategy and Portfolio Management: This module evaluates the development of investment strategies for bonds, equities and derivatives that are designed to achieve optimal risk return outcomes, and examines the measurement and evaluation of the performance of a portfolio of investments.
Islamic Banking: This module provides an insight into the key features of Islamic banking business.
See related categories
Banking Finance Postgraduate Degrees
Postgraduate Degrees in Wales
Banking and Insurance Postgraduate Degrees
Distance learning Banking and Insurance Postgraduate Degrees
Banking and Insurance Postgraduate Degrees in Wales
Add similar courses and compare them to help you choose.
{title}
{rating}
{centerName}
{price}
{price}{priceBeforeDiscount}{taxCaption}
{options}
Training by subject
Postgraduate Degrees of Business and Management Postgraduate Degrees of Design and Media Postgraduate Degrees of Finance Postgraduate Degrees of Health Postgraduate Degrees of Humanities, Social Science, Education Postgraduate Degrees of Industry and Science Postgraduate Degrees of IT, Computing, Telecommunications Postgraduate Degrees of Languages Postgraduate Degrees of Law and Defence Postgraduate Degrees of Sales and Marketing Postgraduate Degrees of Sports and Leisure Postgraduate Degrees of Tourism and Hospitality